Public limited company · Kapelle-op-den-Bos · incorporated on 19/07/2005
| 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 | 2009 | 2008 | 2007 | ||||||||||||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Gross margin | 14,5 k € | -3.1% | 15,0 k € | -21.5% | 19,1 k € | +52.7% | 12,5 k € | -95.7% | 287,8 k € | +464.7% | 51,0 k € | -32.0% | 74,9 k € | +22.1% | 61,4 k € | -39.3% | 101,1 k € | +14.7% | 88,2 k € | +112.7% | 41,5 k € | -5.2% | 43,7 k € | -13.7% | 50,7 k € | -4.9% | 53,3 k € | -1.7% | 54,2 k € | -0.6% | 54,6 k € | +6.0% | 51,5 k € | +14.1% | 45,1 k € | +244.4% | 13,1 k € | |
| EBITDA | 12,5 k € | -3.4% | 12,9 k € | -27.6% | 17,8 k € | +63.7% | 10,9 k € | -96.2% | 285,3 k € | +485.6% | 48,7 k € | -32.8% | 72,4 k € | +20.5% | 60,1 k € | -39.2% | 98,9 k € | +13.7% | 87,0 k € | +116.0% | 40,3 k € | -3.1% | 41,5 k € | -14.5% | 48,6 k € | -2.7% | 49,9 k € | -4.4% | 52,2 k € | -0.6% | 52,5 k € | +8.0% | 48,6 k € | +20.9% | 40,2 k € | +523.4% | 6,5 k € | |
| Operating profit | -2,6 k € | -7.7% | -2,4 k € | -139.0% | 6,2 k € | +149.5% | -12,6 k € | -104.8% | 262,2 k € | +1585.7% | 15,6 k € | -62.9% | 41,9 k € | +41.6% | 29,6 k € | -57.2% | 69,2 k € | +22.5% | 56,5 k € | +178.4% | 20,3 k € | -5.9% | 21,5 k € | +42.4% | 15,1 k € | -9.6% | 16,7 k € | -12.0% | 19,0 k € | -0.2% | 19,1 k € | +25.6% | 15,2 k € | +124.1% | 6,8 k € | +125.4% | -26,7 k € | |
| Profit/loss | -6,8 k € | +2.5% | -6,9 k € | +55.0% | -15,4 k € | +7.2% | -16,6 k € | -108.6% | 192,8 k € | +2777.0% | 6,7 k € | -69.2% | 21,7 k € | +61.9% | 13,4 k € | -73.0% | 49,8 k € | +11.1% | 44,8 k € | +2056.0% | 2,1 k € | -88.8% | 18,5 k € | +1157.0% | 1,5 k € | +142.2% | -3,5 k € | +12.5% | -4,0 k € | -52.4% | -2,6 k € | +73.8% | -10,0 k € | +31.3% | -14,5 k € | +71.3% | -50,6 k € | |
| Equity | 228,9 k € | -2.9% | 235,6 k € | -2.9% | 242,6 k € | -6.0% | 258,0 k € | -6.0% | 274,6 k € | +235.9% | 81,7 k € | +8.9% | 75,0 k € | +36.9% | 54,8 k € | +32.5% | 41,4 k € | +936.0% | -4,9 k € | +90.1% | -49,8 k € | +4.0% | -51,9 k € | +26.3% | -70,4 k € | +2.0% | -71,8 k € | -5.1% | -68,3 k € | -6.2% | -64,4 k € | -4.2% | -61,7 k € | -19.3% | -51,8 k € | -31.1% | -39,5 k € | |
| Total assets | 308,4 k € | -1.1% | 311,7 k € | -18.5% | 382,5 k € | -13.7% | 443,4 k € | -8.6% | 485,2 k € | -4.2% | 506,2 k € | -0.9% | 510,7 k € | -2.7% | 524,9 k € | -7.1% | 564,8 k € | -4.1% | 588,9 k € | +3.2% | 570,8 k € | -9.3% | 629,4 k € | -18.6% | 773,3 k € | -5.7% | 820,0 k € | -10.5% | 916,5 k € | +7.1% | 856,1 k € | -1.9% | 873,0 k € | -4.4% | 912,9 k € | -5.2% | 963,0 k € | |
| Cash | 25,0 k € | +77.8% | 14,0 k € | -79.8% | 69,6 k € | -36.8% | 110,1 k € | -14.3% | 128,4 k € | +1341.4% | 8,9 k € | -47.2% | 16,9 k € | +3566.7% | 460,4 € | -96.7% | 14,1 k € | +67.3% | 8,4 k € | +747.1% | 991,8 € | -97.2% | 34,9 k € | +21648.9% | 160,3 € | -98.8% | 13,5 k € | -85.3% | 92,1 k € | +18888.5% | 484,8 € | +347.4% | 108,4 € | -98.4% | 6,6 k € | -76.3% | 27,8 k € | |
| Debts | 60,4 k € | +0.9% | 59,9 k € | -53.2% | 128,0 k € | +17.8% | 108,7 k € | -19.9% | 135,6 k € | -67.5% | 416,8 k € | -3.1% | 430,2 k € | -8.3% | 469,1 k € | -10.2% | 522,4 k € | -12.0% | 593,8 k € | -3.7% | 616,4 k € | -5.4% | 651,6 k € | -17.4% | 788,7 k € | -2.8% | 811,4 k € | -6.7% | 870,1 k € | -1.3% | 881,5 k € | +1.8% | 865,8 k € | +0.0% | 865,7 k € | -11.5% | 978,5 k € | |
Public limited company loss-making in the latest fiscal year. Cash position rising (+77.8%).
Acceptable counterparty for a moderate engagement. Require 2 fiscal years of detailed accounts before any significant exposure. The abridged model hides revenue.
KADIMAR is a Public limited company incorporated in 2005. Its registered office is in Kapelle-op-den-Bos.
Key indicators
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Source: Belgian Official Gazette